Latest Stock Portfolios of the World's Best Investors & Hedge Funds

Name AUM AUM
Growth
AUM
Growth %
Quarter Est. Return 3 Year Est. Return Holdings Portfolio Turnover
RJTCONH
7201
Raymond James Trust Company of New Hampshire
New Hampshire
$12.1M +$1.4M +13% 22
VH
7202
Vitol Holding
Netherlands
$11.8M +$860K +8% 2
CP
7203
Covalent Partners
Massachusetts
$11.8M +$4.31M +58% 13
PA
7204
PPM America
Illinois
$11.1M -$185K -2% 6
EPM
7205
Equitec Proprietary Markets
Illinois
$11M -$2.19M -17% 69
M
7206
MetLife
New York
$10M -$367K -4% 6
RC
7207
Rithm Capital
New York
$9.57M -$690K -7% 1
PC
7208
Prysm Capital
New Jersey
$8.66M -$1.7M -16% 1
DV
7209
DAG Ventures
California
$7.24M -$841K -10% 3
SM
7210
Sabby Management
Florida
$7.22M -$310K -4% 54
RVM
7211
RiverVest Venture Management
Missouri
$6.84M +$13.2K +0.2% 4
KIM
7212
Kaizen Investment Management
Singapore
$6.23M 1
BM
7213
Belfer Management
New York
$6.18M +$874K +16% 15
HCRE
7214
Hoya Capital Real Estate
Connecticut
$5.39M +$290K +6% 8
WOC
7215
West Oak Capital
California
$5.38M -$243M -98% 341
DF
7216
DC Funds
Virginia
$5.15M -$871K -14% 3
IAA
7217
Independence Asset Advisors
Pennsylvania
$5.05M +$876K +21% 6
LFA
7218
Livelsberger Financial Advisory
Ohio
$4.77M -$1.93M -29% 88
HVM
7219
Harvest Volatility Management
Connecticut
$4.39M +$217K +5% 6
PCM
7220
Polus Capital Management
United Kingdom
$3.6M -$1.46M -29% 6
PL
7221
Protective Life
Alabama
$3.55M +$264K +8% 1
GFM
7222
Gramercy Funds Management
Connecticut
$3.48M +$1.33M +62% 2
CU
7223
Cornell University
New York
$3.44M -$1.15M -25% 3
1IC
7224
1922 Investment Company
Texas
$3.25M +$181K +6% 6
MC
7225
Mayo Clinic
Minnesota
$2.9M -$128K -4% 4